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CFA一级
包含CFA一级传统在线课程、通关课程及试题相关提问答疑;
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Choose one of the following is least likely to have a capital gain distribution. A Open-end mutual funds. B Closed-end mutual funds. C Exchange traded funds. 查看解析 上一题 下一题 正确答案C 您的答案C本题平均正确率:60% Types of investors and pooled investment products难度:一般 推荐: 答案解析 Exchange traded funds do not have capital gain distributions. If an investor sells shares of an ETF (or open-end mutual fund or closed-end mutual fund), the investor may have a capital gain or loss on the shares sold; however, the gain (or loss) from the sale is not a distribution. 1.讲解中说 资本利得是:股利和价差。但是我记得资本利得 就是单指价差,所以想确认? 2.这道题没有听懂,能否举(再详尽一点)的例子 讲解下?
查看试题 已回答Portfolio diversification is least likely to protect against losses: A during severe market turmoil. B when markets are operating normally. C when the portfolio securities have low return correlation. 查看解析 上一题 下一题 正确答案A 您的答案C本题平均正确率:80% Portfolio perspective难度:一般 推荐: 答案解析 Portfolio diversification has been shown to be relatively ineffective during severe market turmoil. Portfolio diversification is most effective when the securities have low correlation and the markets are operating normally. 请问:C选项,我的理解是 当相关系数很低(可能为-1),这个时候已经完全分散化了,所以不能再分散了,所以选C.
查看试题 已回答mature stage have a staple pricing,and try to avoid price war.why not choose the mature stage?
查看试题 已回答精品问答
- 为什么半年付息 算ytm是乘以2 而年化的麦考利久期是除以2
- 为什么长期垄断竞争中 D和ATC相切
- m上升 EAR为什么上升 以及为什么又不变
- 为什么TC 的切点对应是AVC的最低点?
- 前面在讲Aggregate demand curve的时候说,价格上涨使消费下降,而这里又说价格下降消费变少,为什么存在矛盾?
- 为什么可以把TR TC同时体现在纵轴?
- 对于老师讲的这部分,1. 我理解FRA的Payoff始终等于利率期货的Payoff部分进行折现(除以1个大于1的数),也就是说,FRA的Payoff的变动幅度 应该 始终小于利率期货的变动幅度。2. 至于是涨多跌少,还是涨少跌多,其实MRR在分母上,可以根据1/x的曲线特点来理解,无非就是MRR上升时1/(1+MRR)的变动幅度 小于 MRR下降时1/(1+MRR)的变动幅度,所以如果MRR上升时,Payoff是上升的,那么就是涨少跌多,如果MRR上升时,Payoff是下降的,那就是涨多跌少。以上2点,我理解的对吗?
- 为什么B选项要考虑借股还股?而A选项没有考虑借钱买然后还钱?可以都不考虑吗?还是借股还股一定要在这个流程中体现?


